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Economics/Finances Pricing and Hedging Interest and Credit Risk Sensitive Instruments By Frank Skinner [Reup]

Posted on 2010-07-27




Name:Economics/Finances Pricing and Hedging Interest and Credit Risk Sensitive Instruments By Frank Skinner [Reup]
ASIN/ISBN:075066259X
Publisher:Butterworth-Heinemann (December 27, 2004)
Pages:288 Pages
File size:1.6 Mb
Publisher: Butterworth-Heinemann (December 27, 2004)
ISBN: 075066259X
ISBN: 978-0750662598
Pages: 288 Pages
File Type: PDF
File Size: 1.6 MB
   Economics/Finances Pricing and Hedging Interest and Credit Risk Sensitive Instruments By Frank Skinner [Reup]



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Frank Skinner, «Pricing and Hedging Interest and Credit Risk Sensitive Instruments»

This book is tightly focused on the pricing and hedging of fixed income securities and their derivatives. It is targeted at those who are interested in trading these instruments in an investment bank, but is also useful for those responsible for monitoring compliance of the traders such as regulators, back office staff, middle and senior lever managers.

To broaden its appeal, this book lowers the barriers to learning by keeping math to a minimum and by illustrating concepts through detailed numerical examples using Excel workbooks/spreadsheets on a CD with the book. On the accompanying CD with the book, three interest rate models are illustrated: Ho and Lee, constant volatility and Black Derman and Toy, along with two evolutionary models, Vasicek and CIR and two credit risk models, Jarrow and Turnbull and Duffie and Singleton. These are implemented via spreadsheets on the CD.

* Starts at an introductory level and then develops advanced topics

* Provides plenty of numerical examples rather than mathematical equations to aid full understanding of the strengths and weaknesses of all interest rate derivative models

* Can be used for self-study - a complete book on the topic, which includes examples with answers

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